ILLINOIS POLLUTION CONTROL BOARD
    May 9,
    199.
    EARL R. BRADD, as owner of
    )
    the BRADD
    SANITARY
    LANDFILL,
    )
    )
    Petitioner,
    PCB 90—173
    v.
    )
    (Permit Appeal)
    ILLINOIS ENVIRONMENTAL
    )
    PROTECTION AGENCY,
    )
    )
    Respondent.
    NEIL F.
    FLYNN APPEARED ON BEHALF OF PETITIONER,
    AND
    JAMES
    G. RICHARDSON APPEARED ON BEHALF OF RESPONDENT.
    OPINION
    AND
    ORDER OF THE BOARD
    (by• 3. Anderson):
    This matter comes before the Board on the September 24,
    1990
    filing of
    a Petition for Review by Earl R.
    Bradd, as owner of the
    Bradd Sanitary Landfill.
    Mr. Bradd seeks review of the Illinois
    Environmental Protection Agency’s
    (“Agency”) August 21,
    1990
    decision to reject his Affidavit of Certification of Closure for
    the Bradd Sanitary Landfill.
    In his petition, Mr. Bradd asks that the Board reverse the
    Agency’s decision to reject his Affidavit for Certification of
    Closure, direct the Agency to issue a Certificate of Closure,
    find that the landfill was closed prior to July
    1,
    1990, and set
    the landfill’s period for post—closure care at five years after
    completion of closure rather than the fifteen year post—closure
    care period provided by Section 22.17(a)
    of the Environmental
    Protection Act (“Act”)
    (Ill. Rev.
    Stat.
    Ch.
    111½ par.
    1022.17(a)).
    (Pet.
    p.
    3).
    In support of his request, Mr. Bradd
    claims that the Agency’s August 21,
    1990 Denial Letter failed to
    notify him as to the manner in which his closure activities
    violated or failed to comply with the Act and Board regulations,
    and that his closure activities conform to the closure plan
    previously approved by the Agency.
    (~.
    pars.
    6,
    7).
    PROCEDURAL HISTORY
    As previously stated,
    Mr. Bradd filed his Petition for
    Review on September 24,
    1990.
    On October 31,
    1990, the Agency
    filed the Agency Record.
    On January
    3,
    1991,
    Mr. Bradd filed a
    motion,
    dated December 19,
    1990,
    requesting the Board to strike
    the Agency’s August 21, 1990 Denial Letter.
    In his motion, Mr.
    Bradd asserted,
    in part, that the Agency’s Denial Letter did not
    include a statement, pursuant to Section 39(a) of the Act
    (Ill.
    12
    2—95

    2
    Rev.
    Stat.
    1989,
    ch.
    111½, par.
    1039(a)),
    of specific reasons why
    the Act and regulations might not be met if the Certificate of
    Closure was approved, but only listed several statutory and
    regulatory citations that might be violated if the Certificate
    was approved.
    On December 31, 1990,
    the Agency filed its
    Response to Mr. Bradd’s Motion to Strike.
    On January 18,
    1991, the Board issued an Order noting that
    the Agency, on the whole, provided an explanation of why the Act
    and regulations might not be met if the requested Certificate of
    Closure were granted.
    The Board also noted, however, that the
    Agency cited two regulatory sections,
    35 Ill. Adm. Code
    807.205(b) and
    (c), without providing a reason why the
    subsections might not be met if the requested Certificate of
    Closure was granted.
    Accordingly, the Board denied Mr. Bradd’s
    motion and remanded the matter to the Agency with directions to
    amend its denial letter and supply the reasons for its citation
    of the two regulatory sections.
    Finally, the Board noted that it
    would be helpful if the Agency,
    in the future, would 1)
    frame its
    denial letters to be consistent with the order of the numbered
    paragraphs in Section 39(a) and
    (b)
    of the Act, and
    2)
    link the
    specific reason(s) why the Act and the regulations might not be
    met if a Certificate of Closure or a permit was granted, to each
    statutory or regulatory section cited in the denial letter.
    Hearings were held on February 1,
    1991, and on February 5,
    1991,
    in Bloomington,
    Illinois.
    One member of the public was
    present at the February 1,
    1991 hearing.
    On February 19,
    1991, the Agency filed its Amended Denial
    Letter pursuant to the Board’s January 18,
    199.
    Order.
    On March
    1,
    1991,
    Mr. Bradd filed his post-hearing Brief and a
    motion asking the Board to strike the Agency’s Amended Denial
    Letter in its entirety (see below).
    On March
    11,
    1991, the
    Agency filed its response to Mr. Bradd’s motion.
    On March 18,
    1991,
    Mr. Bradd filed a reply to the Agency’s Response.
    On March
    25,
    1991, the Agency filed its post-hearing Brief and a Motion to
    Strike Mr. Bradd’s March 18,
    1991 Reply.
    Finally, on March 29,
    1991,
    Mr. Bradd filed his Reply Brief.
    BACKGROUND
    Mr.
    Bradd
    owns
    and
    operates
    the
    Bradd
    Sanitary Landfill
    located
    in
    Saybrook,
    McLean
    County,
    Illinois.
    (Pet.
    par.
    1;
    Pet.
    Br.
    p.
    1).
    The
    Agency
    issued
    a
    developmental
    permit
    (Permit
    No.
    1974-82—DE)
    and an operating permit
    (Permit No.
    1974-82-OP)
    for
    the facility on September 17,
    1974, and on September 9,
    1975,
    respectively.
    (Agency Rec. pp.
    1-4; IEPA Ex.
    1,
    2; Pet. Exs.
    5
    and 6).
    Although the permitted site consists of approximately 35
    acres, the operating permit only allowed for approximately 16
    acres to be filled.
    (~.).
    The operating permit also provided
    for a two—well groundwater monitoring program for the site.
    122—96

    3
    (Agency Rec. pp.
    3-4; IEPA Ex.
    2; Pet. Ex.
    6).
    On October 14, 1988, theAgency issued a supplemental permit
    (Permit No.
    1988-248-SP),
    in which it approved Mr. Bradd’s
    closure and post—closure plan and cost estimates for the
    landfill.
    (Agency Rec. pp.
    84-93; IEPA Ex.
    4; Pet.
    Ex.
    8).
    Special Condition 6 of the permit required Mr. Bradd to amend the
    soil over the entire planting area with lime, fertilizer,
    and/or
    organic matter,
    if necessary,
    and to provide mulch or some other
    form of stabilizing material on the side slopes.
    (u.).
    Special
    Condition 14 of the permit required that a final cover (exclusive
    of any topsoil vegetative layer)
    of at least two feet in
    thickness be placed in lifts not to exceed eight inches (loose),
    that final compaction of the landfill’s final cover be performed
    using a sheepsfoot roller, and that at least one compaction test
    be performed on a per acre, per lift basis.
    (u.).
    Special
    Condition 15(b)
    required Mr.
    Bradd to propose, by way of a
    supplemental permit application,
    a revised groundwater monitoring
    program for the landfill that would be in conformance with the
    Agency’s “Groundwater Monitoring Network Guidelines”
    (February
    1987).
    (Agency Rec.
    pp.
    84—93; IEPA Ex.
    4; Pet.
    Exs.
    8 and 34).
    The application for supplemental permit was to be submitted
    within 90 days of the date of Permit No. l988-248-SP.
    (Agency
    Rec. pp.
    84-93; IEPA Ex.
    4; Pet.
    Ex.
    8).
    On January 13,
    1989, and pursuant to the supplemental
    permit, Mr. Bradd filed a supplemental permit application
    containing the proposed revised groundwater monitoring program
    for the landfill.
    (Pet.
    Ex.
    9).
    Mr. Bradd’s proposed
    groundwater monitoring program consisted of six monitoring wells:
    one upgradient well on the eastern side of the landfill
    (G-103);
    one on the southern part of the landfill
    (G-104); and one on the
    northwestern part of the landfill
    (G-102).
    (~.
    p.
    8, Attachment
    Be).
    Mr. Bradd’s proposal continued to use an existing, Agency
    permitted well (MP-1)
    as a fourth monitoring well (G-lol), and
    provided that two remaining wells would be used as peizometers
    (P-101 and P—102).
    (u.).
    In a letter dated April
    6,
    1989,
    the
    Agency notified Mr. Bradd that the proposed groundwater
    monitoring program was deficient.
    Agency’s Response to
    Petitioner’s Motion to Strike Agency’s Denial Letter,
    Ex.
    A;
    Pet.
    Exs.
    10 and 38).
    On April 30,
    1990,
    Mr. Bradd notified the Agency that he
    would cease accepting waste and close the landfill at 12:00 p.m.
    (noon) on May 5,
    1990.
    (Pet. par.
    3,
    Ex.
    A; Agency Rec. p.
    113;
    Pet.
    Exs.
    11
    -
    Attachment II,
    Figure No.
    1,
    and 31).
    On June 27,
    1990,
    Mr. Allyn Colantino of the Agency’s Field Operation
    Services Division inspected the landfill to determine whether Mr.
    Bradd was complying with the closure requirements for the
    landfill.
    (Agency Rec.
    pp.
    141—160; Pet.
    Ex.
    13).
    On June 29,
    1990,
    Mr. Bradd,
    in conjunction with M. Rapps Associates,
    Inc.,
    an environmental engineering firm,
    filed an Affidavit for
    122—9
    7

    4
    Certification of Closure and supporting documentation with the
    Agency.
    (Agency Rec.
    pp. 94-172; IEPA Ex.
    5; Pet. Ex.
    11-
    Affidavit for Certification of Closure).
    On July 13,
    1990, M.
    Rapps and Associates,
    Inc., mailed additional material to the
    Agency that supplemented its June 29,
    1990 submission to the
    Agency.
    (Agency Rec. pp.
    161-172; Pet. Ex.
    11-Addendum).
    In a
    letter dated August 21,
    1990,
    the Agency notified Mr. Bradd of
    its rejection of the Affidavit for Certification of Closure
    because the landfill was not closed in accordance with the
    previously approved closure plan.
    (Agency Rec. pp.
    141-160;
    Petitioner’s Motion to Strike Agency’s Denial Letter,
    Ex.
    A;
    Pet.
    Ex.
    12).
    In that letter, the Agency cited the following five
    deficiencies in support of its denial of Mr. Bradd’s Affidavit
    for Certification of Closure:
    1.
    Condition 15 of Permit No. 1988-248-SP
    required the submittal of a permit
    application assessing the current groundwater
    conditions at the site and proposing an
    adequate groundwater monitoring program.
    This has not been done.
    Although Application
    No. 1989-10 attempted to satisfy this
    condition,
    it was denied on April
    6, 1989 due
    to technical deficiencies.
    No subsequent
    application addressing these deficiencies has
    been submitted to the Agency.
    2.
    The final cover was not compacted using a
    sheepsfoot roller as required by Condition
    No.
    14 of Permit No. 1988—248—SP.
    3.
    Condition No.
    14
    of Permit No. 1988-248—SP
    requires at a minimum one compaction test per
    acre p~ lift for the final cover.
    From the
    information included with the affidavit this
    requirement does not seem to have been
    fulfilled.
    The results of only approximately
    one compaction test per acre have been
    provided.
    4.
    According to Allyn Colantino’s
    (of IEPA’s
    Field Operations Section) report on his June
    27,
    1990 inspection, in
    6 of the 23 borings
    the total thickness of the final cover and
    vegetative layer was less than 30 inches.
    Based on these borings, Mr. Colantino has
    identified two areas which did not have
    adequate cover on June 27,
    1990.
    The
    affidavit neither acknowledges the
    inadequacies discovered by Mr. Colantino nor
    does it indicate that these areas were
    subsequently redressed.
    122—98

    5
    5.
    According to the Affidavit, the fertilizing,
    seeding and mulching procedures required by
    the. closure plan approved by Permit No.
    1988-
    248-SP had not been completed (or even begun)
    at the time the Affidavit was submitted to
    the Agency.
    After the above reasons, the Agency cited the following statutory
    and regulatory sections that might be violated if the Certificate
    of Closure were issued:
    Sections 22.17(a) and 39(a)
    of the Act,
    and 35 Ill. Adm. Code 807.205(a),
    807.205(b),
    8076205(c),
    807.206(a),
    807.207(a),
    807,210,
    807.302, 807.305(c),
    807.313,
    807.314(e), 807.315, 807.~08(a), 807.502,
    and 807.508.
    PRELIMINARY MATTERS
    Before reaching the substantive merits of this case,
    the
    Board must rule on Mr. Bradd’s March
    1,
    1991 Motion to Strike the
    Agency’s Amended Denial Letter and the Agency’s Motion to Strike
    Mr. Bradd’s March 18,
    1991 Reply.
    At the outset, we note that, pursuant to the Board’s
    procedural
    rules.,
    a moving party does not have the right to file
    a reply except as permitted by the Board to prevent material
    prejudice.
    35 Ill.
    Adm. Code 101.241(c).
    Accordingly, because
    Mr. Bradd’s reply was not accompanied by a motion for leave to
    file a reply, we will not consider the reply in our deliberations
    on Mr. Bradd’s Motion to Strike the Agency’s Amended Denial
    Letter.
    With regard to Mr. Bradd’s motion, Mr. Bradd first argues
    that the Agency did not comply with the Board’s January 18,
    1991
    Order.
    (Pet. Motion par. 4).
    Specifically, Mr.
    Bradd argues
    that the letter is not limited to the reasons for the Agency’s
    citation of 35
    Ill. Adm. Code 807.205(b)
    and
    (C),
    but includes
    reasons and rationale which were never contained in either the
    April
    6,
    1989,
    or the August 21,
    1990 Denial Letters.
    (~.
    pars.
    4,
    5).
    Mr. Bradd also argues that the Amended Denial Letter
    violates Section 39(a)
    of the Act and denies him due process of
    law.
    (~.
    par.
    7)..
    In response, the Agency states that it decided to provide
    more information than the Board requested because it realized
    that its January
    3,
    1991 response to Mr. Bradd’s first motion to
    strike was the only document that had overtly provided reasons as
    to how the various statutes and regulations listed in the
    Agency’s August 21,
    190 Denial Letter might have been violated.
    (Agency Response p.
    1).
    The Agency also argues that,
    if it
    issued an amended denial letter that referenced only 35 Ill. Adm.
    Code 807.205(b) and
    (c),
    it would have run the risk that Mr.
    Bradd would argue that those sections were the only sections that
    122—99

    6
    might not be met if the Certificate of Closure were issued.
    (ia.
    p.
    2).
    Finally, the Agency argues that its amended denial letter
    lists the same information that was listed in its August 21,
    1990
    Denial Letter, and that only certain non—substantive style
    changes
    (i.e. format changes and the overt statement of the
    reasons for citing the various statutory and regulatory sections)
    differentiate the amended denial letter from the original.
    A review of the Agency’s Amended Denial Letter indicates
    that the Agency did indeed reformat its earlier denial letter.
    However, the Agency also went beyond the Board’s January
    18,
    1991
    Order requesting it to supply the reasons for its citation of
    35
    Ill. Adm. Code 807.205(b) and
    (c) when it linked the specific
    reason(s) why the Act and the regulations might not be met with
    each statutory and regulatory section cited in the August 21,
    1990 Denial Letter.
    As a result, when the Agency provided this
    more detailed explanation it,
    in effect, impermissibly
    supplemented the record.
    Accordingly, the Board will strike all
    of the information in the amended denial letter with the
    exception of the reasoning related to the Agency’s citation of 35
    Ill. Adm. Code 807.205(b) and
    (c)
    before analyzing the Agency’s
    reasoning for its citation of the sections.
    In its amended denial letter, the Agency provided the
    following explanation for its citation of 35 Ill. Adm. Code
    807.205(b)
    and
    (c)
    in the August 21,
    1990 Denial Letter:
    Again, referring to the permit review process,
    subsection
    (a)
    807.205(a))
    must be read in conjunction
    with subsections
    (b) and
    (c).
    As applied to the
    affidavit here, the information required by
    (b)
    is
    specified by the closure plan in Permit No. 1988-248-
    SP.
    The form,
    as stated in
    (C),
    to provide this
    information to the Agency is the affidavit.
    The
    affidavit here fell short of th.e “all data and
    information” requirements of
    (a) as no groundwater
    assessment or monitoring program was provided, and no
    proof of compliance with the sheepsfoot roller,
    compaction testing,
    final cover, and vegetative seeding
    requirements was provided.
    35 Ill.
    Adin.
    Code 807.205 states,
    in part as follows:
    a)
    All applications for permit required under
    these Regulations shall contain all data and
    information specified in those rules
    governing the type of unit or site for which
    the permit is required.
    b)
    The Agency may adopt procedures requiring
    such additional information as
    is reasonably
    122—100

    7
    necessary to determine whether the waste
    management site will meet the requirements of
    the Act and Regulations.
    c)
    The Agency may prescribe the form in which
    all information required under these
    Regulations shall be submitted.”
    Although the Board does not disagree that 35 Ill. Adm. Code
    807.205(b)
    and
    (c) are linked to 35 Ill.
    Adm. Code 807.205(a),it
    is clear from a review of the section that subsection
    (a) relates
    to an applicant’s activities while subsections
    (b) and
    (C)
    specify the scope of the Agency’s activities.
    Section 39(a)
    of
    the Act states that the Agency shall issue a permit upon proof by
    the applicant that the facility will not cause a violation of the
    Act or regulations.
    It is inherent from a reading of this
    section that it refers to an applicant’s violation of the Act or
    regulations rather than the Agency’s violation of the Act or
    regulations.
    Accordingly, because an applicant cannot violate
    subsections
    (b) and
    (c), we will strike 35 Ill. Adm. Code
    807.205(b)
    and
    (c)
    from the Agency’s August 21,
    1991 Denial
    Letter.
    STANDARD OF REVIEW
    Permits are granted by the Agency pursuant to Section 39(a)
    of the Act which sets forth the requirements for securing a
    permit as follows:
    When the Board has by regulation required a perniit...it
    shall be the duty of the Agency to issue such a permit
    upon proof by the applicant that the facility...will
    not cause a violation of this Act or of regulations
    hereunder....In granting permits the Agency may impose
    such conditions as may be necessary to accomplish the
    purposes of this Act, and as are not inconsistent with
    the regulations promulgated by the Board hereunder.
    Section 40(a) (1) of the Act provides that an applicant who
    has been denied a permit may petition the Board for a hearing to
    contest the Agency’s denial of the permit application.
    Ill.
    Rev.
    Stat.
    1989,
    ch.
    111
    ½,
    par 1040(a) (1).
    The standard of review in
    a permit appeal is as follows:
    The
    sole question before the Board is whether the
    applicant proves that the application, as submitted to
    the Agency, demonstrated that no violation of the
    Environmental Protection act would have occurred if the
    requested permit had been issued.
    Joliet Sand
    & Gravel Co.
    v. PCB,
    163 Ill. App.
    3d 830,
    833,
    516 N.E.2d 955,
    958
    (3d Dist.
    1987); Browning—
    122— 101

    8
    Ferris Industries of Illinois,
    Inc.
    v. EPA, PCB 84—136
    (May 5,
    1988),
    aff’d No 2—88—0548 slip op.
    (2d Dist.
    February 3,
    1989).
    DISCUSSION
    At the outset, and before beginning our analysis of this
    matter, we wish to address Mr. Bradd’s reiteration of his Section
    39(a)
    challenge to the Agency’s August 21, 1990 Denial Letter
    that is contained in his post-hearing Brief.
    Again,
    Mr.
    Bradd
    argues as follows:
    1) that the Agency’s letter fails to meet the
    requirements of Section 39(a)(4) of the Act because it does not
    include a statement of specific reasons why the Act and
    regulations might not be met if the Affidavit for Certification
    of Closure were approved, but merely lists several statutory and
    regulatory citations which may be violated if the Affidavit for
    Certification of Closure was granted, and 2) that Section 39(a)
    of the Act,
    as applied,
    is fundamentally unfair and deprives him
    of due process of law.
    (Pet.
    Br. pp.
    9-12).
    Section 39(a) of the Act requires that the Agency provide an
    applicant with a detailed statement of the reasons for denying a
    permit application.
    Section 39(a)
    further provides that such
    statements shall include the following information:
    (1) the
    sections of the Act that may be violated if the permit were
    granted;
    (2) the provisions of the regulations, promulgated under
    the Act, that may be violated if the permit were granted;
    (3) the
    specific type of information,
    if any, that the Agency deems the
    applicant failed to provide; and
    (4)
    a statement of specific
    reasons why the Act and the regulations might not be met if the
    permit were granted.
    In order for an applicant to adequately prepare its case in
    a permit review before the Board, the applicant must be given
    sufficient information to determine the bases for the Agency’s
    determination and thus,
    notice of what evidence it needs to
    establish its case.
    The requirement that the Agency provide the
    applicant with the specific sections of the Act and regulations
    that support the permit denial
    is consistent with the statutory
    framework of the Act which requires that the Agency render its
    initial permit decision and the Board render its permit review
    decision within specified time periods.
    This streamlined process
    requires that the applicant be provided with the specific
    information upon which the Agency based its permit denial so that
    the applicant may prepare his case with an eye toward the
    issue(s)
    on review,
    i.e.,
    whether the applicant has demonstrated
    that no violation of the Act or regulations would occur
    if the
    permit were granted.
    Contrary to Mr. Bradd’s contention, the listing of various
    sections of the Act and regulations after the denial reasons does
    not invalidate the Agency’s denial letter or render it
    12
    2—102

    9
    inadequate.
    Mr. Bradd had made no attempt to support his
    contention that the Agency has not followed Section 39(a)(4) by
    arguing which sections of the:Act and regulations cited by the
    Agency are an erroneous bases for permit denial.
    The Board
    itself reviewed the denial letter and linked the various
    statutory and regulatory sections with the denial reasons before
    ruling on Mr. Bradd’s first motion to strike the letter.
    With
    the exception of 35 Ill. Adm. Code 807.205(b)
    and
    (c), we were
    able to make some connection between each cited section and at
    least one denial reason.
    Admittedly, although the Agency’s
    denial letter was not in a format that easily lent itself to
    review, the Board cannot say that an applicant is denied
    fundamental fairness merely because the Agency’s denial letter is
    complicated and requires a detailed analysis by the applicant.
    Centralia Environmental Services,
    Inc.
    v.
    IEPA, PCB 89-170
    (October 25,
    1990).
    Therefore, the Board rejects Mr. Bradd’s
    contention that the Agency’s denial letter fails to comply with
    Section 39(a)(4)
    of the Act simply because the Agency did not
    itself link the various statutory and regulatory sections to the
    denial reasons.
    Denial Reason
    1
    Groundwater Monitoring Program
    Mr.
    Bradd argues that he proposed an adequate groundwater
    monitoring program pursuant to the supplemental permit and cites
    four reasons in support of his argument.
    First,
    Mr. Bradd notes
    that the Agency,
    in its April
    6,
    1989 letter denying his proposed
    groundwater monitoring program,
    failed to cite any statute or
    regulation that was or would be violated if the proposed program
    were approved.
    (Pet.
    Br.
    p.
    14).
    Second,
    Mr. Bradd argues that
    the Agency improperly applied its Draft Groundwater Monitoring
    Network
    (“GMN”) Guidelines when reviewing the proposed program.
    (~.
    pp.
    14-16).
    Specifically,
    Mr. Bradd argues that the reasons
    set forth in the Agency’s April
    6,
    1989 denial letter are similar
    to portions of the Agency’s Draft
    GMN
    Guidelines and that the
    Agency cannot, as a matter of law,
    impose or apply the draft
    GNN
    Guidelines as rules.
    (3~.).
    Third,
    Mr. Bradd argues that the
    landfill has always had and continues to have a permitted
    groundwater monitoring program and that the proposed program
    conforms to the Agency’s Draft
    GMN
    Guidelines and would not
    violate any applicable statutory, regulatory or permit provision.
    (Id. pp.
    17-18).
    Mr. Bradd adds that the record in this matter
    contains no evidence of any groundwater violations during the
    operation of the landfill, that the landfill has never been cited
    in any enforcement proceeding relating to any groundwater
    violation,
    that quarterly groundwater samples show no violation
    of the Act or regulations, and that samples taken from the well
    supplying water to the maintenance shed located on the site
    indicate that the water is bacteriologically safe to drink.
    (ia.
    p.
    18).
    Fourth, Mr. Bradd notes that, even if his current
    groundwater monitoring program is inadequate,
    the Agency’s
    Administrative Procedure #4 provides for the upgrade of
    th.e
    122—103

    10
    system during the post-closure period.*
    (~.
    pp.
    18-20).
    Mr.
    Bradd adds that the Agency arbitrarily applied procedure #4 in
    this case because the Agency’s enforcement and application of the
    procedure were dependent upon the availability of the Agency’s
    resources, and that the procedure is arbitrary on its face
    bec~auseit unconditionally allows the Agency to determine when,
    or even if, the groundwater monitoring program is to be upgraded.
    (~.
    19-20).
    Finally, Mr. Bradd argues that the Agency’s
    determination regarding the adequacy of his groundwater
    moniltoring program is arbitrary because the Agency has allowed
    some
    Illinois landfill facilities to have one or no groundwater
    monitoring wells.
    (~.
    pp.
    20-21).
    As the Board previously stated in its January 18,
    1990
    Order, because the April
    6,
    1990 denial letter referred to
    several problems with Mr. Bradd’s proposed groundwater monitoring
    proigram and because the August 21,
    1990 denial letter referenced
    the April
    6,
    1990 denial letter, the two letters were
    inextricably linked.
    Section 40(a) (1)
    of the Act
    (Ill.
    Rev.
    Stat.
    1989,
    ch.
    111½, par.
    1040(a) (1)) provides,
    “If the Agency
    refuses to grant or grants with conditions a permit under Section
    39 of this Act, the applicant may, within 35 days, petition for a
    heai~ingbefore the Board to contest the decision of the Agency.”
    (emphasis added) (see also 35 Ill.
    Adm. Code 105.102(a) (2)).
    Because Mr. Bradd never appealed Special Condition 15(b)
    of
    Supplemental Permit No. 1988-248-SP or the Agency’s April
    6,
    1989
    denial of his proposed groundwater monitoring program within the
    above
    statutory time frame, he has waived any objection to the
    Agency’s imposition of Special Condition 15(b)
    and its denial of
    his proposed groundwater monitoring program.
    Further, Mr. Bradd,
    through his arguments,
    is challenging the imposition of Special
    Condition 15(b) rather than the fact that he performed
    groundwater monitoring required by the condition.
    In light of
    these factors, the Board will not review either Special Condition
    15(b)
    or the validity of the Agency’s April
    6, 1989 Denial Letter
    at t:his juncture.
    To do otherwise would encourage permit
    applicants to delay appealing an Agency denial until a subsequent
    denial appeal arises.
    It also would result in the Board
    performing a ~
    novo review of the closure plan at the time of
    subm~issionof the Affidavit for Certification of Closure.
    Moreover, we find that the Agency did not need to review the
    *Administrative Procedure #4
    is an internal Agency procedure
    entitled “Procedure for Closure
    of
    Solid
    Waste
    Landfills
    (Non-
    Hazardous) under 807 Subpart E”.
    Paragraph 1(4) of Administrative
    Procedure #4 provides that facilities with deficient groundwater
    monitoring systems should be made to upgrade before they close if
    the Agency has the resources to do so; otherwise the Agency will
    allo~qthe facilities to upgrade during post-closure.
    (Pet.
    Ex.
    17)..
    122—104

    11
    contents Qf the Agency’s April 6,
    1989 Denial Letter or Mr.
    Bradd’s proposed groundwater monitoring program simply because
    both were referenced in the Agency’s August 21,
    1990 Denial
    Letter.
    Rather, the fact that Special Condition 15(b)
    of
    Supplemental Permit No. 1988—248-SP had not been satisfied was a
    sufficient basis for the Agency to deny Mr. Bradd’s Affidavit for
    Certification of Closure and not, issue a Certificate of Closure
    for the landfill.
    Specifically, the Certificate of Closure is
    issued pursuant to 35 Ill. Adm. Code 807.508(b)
    which provides,
    in part,
    as follows:
    b.
    If the Agency finds that the site has been
    closed in accordance with the specifications
    of the closure plan,
    and the closure
    requirements of this Part, the Agency shall:
    1)
    Issue a certificate of closure for
    the site;
    (Emphasis added).
    ~e
    cannot expect the Agency to approve an Affidavit for
    Certification of Closure and issue a Certificate of Closure when
    an applicant has not complied with his closure plan.
    ,
    In light of
    the above, we uphold denial reason
    1 and will not address Mr.
    Bradd’s substantive arguments.
    Denial Reason
    2
    -
    Sheepsfoot Roller Compaction
    Mr. Bradd acknowledges that landfill machinery rather than a
    sheepsfoot roller was used to compact the final cover for
    acres of land at the landfill.
    (Id. p.
    21).
    He notes, however,
    that when Mr. Colantino learned of this during his June 27,
    1990
    inspection, he stated that the methodology was adequate because
    the final cover was installed in small lifts.
    (Id. p.
    21).
    Mr.
    Bradd adds that neither the Act nor Board regulations mandate
    compaction of the final cover with a sheepsfoot roller, that the
    Agency arbitrarily applies its “policy” of requiring a sheepsfoot
    roller because, at least at one other site,
    it did not require a
    sheepsfoot roller for compaction.
    ~
    p. 22).
    Finally, Mr.
    Bradd notes that this denial reason should not serve as a basis
    to reject the Certificate of Closure because a sheepsfoot roller
    is only one of several methods to achieve the required level of
    compaction and because compaction tests indicate that the
    landfill surpassed the 90
    Standard Proctor Density required by
    the
    Agency.
    (~.).
    The
    Agency
    challenges
    the
    credibility
    of
    Mr.
    Bradd’s
    assertions
    regarding
    the
    representations
    of
    Mr.
    Colantino.
    (Resp.
    Br.
    p.
    6).
    Specifically, the Agency notes that although the
    record indicates that Mr. Colantiho told Mr. Bradd to put the
    fact that he was installing the final cover in small lifts with
    122— 105

    12
    landfill machinery in the certificate of closure, Mr. Bradd did
    not mention the small lifts in the Affidavit for Certification of
    Closure.
    (u.).
    The Agency also notes that the intra-lift and
    inter—lift compaction produced by a sheepsfoot roller is superior
    to landfill machinery and that Mr. Bradd’s argument regarding the
    use of landfill machinery at another site is meaningless without
    an examination and comparison of the other site’s features with
    this landfill’s characteristics.
    (~.
    pp.
    6-7).
    A review of the record indicates Mr. Colantino talked with
    Mr.
    Bradd and Mr. Timothy Sheehan, an environmental engineer with
    N. Rapps
    & Associates,
    Inc.,
    during the June 27,
    1990
    inspection.
    Mr. Sheehan testified that, during his inspection,
    Mr. Colantino stated that the method of compaction at the site
    was adequate after Mr.
    Bradd informed him that the final cover
    was installed in small lifts.
    (R.
    135).
    Mr. Sheehan also
    testified that Mr. Colantino directed Mr. Bradd to put such
    information in his Affidavit of Closure.
    (Id.).
    The Agency did
    not rebut Mr. Sheehan’s assertions at hearing.
    However, Mr.
    Colantino did confirm that he asked Mr.
    Bradd if he had put lifts
    down of eight inches or less and if compaction tests had been
    performed on those lifts.
    (R.
    253-54).
    Moreover, Mr. Colantino,
    in his August 14,
    1990 inspection report,
    stated, “According to
    Mr. Sheehan,
    less than eight inch lifts were applied. Compaction
    was not achieved by the use of a sheep foot as required.
    Instead, rubber tired vehicles, which assisted in the
    transportation of the soil, were used to compact the cover.”
    (Pet.
    Ex.
    13; IEPA Ex.
    5,
    p.
    142).
    Finally, Mr.
    Bradd noted in
    his Affidavit that the final cover was placed in small lifts and
    “mechanically compacted”.
    (Pet.
    Ex.
    11, Attachment II, Paragraph
    2)
    In Modine Manufacturing Co.
    v. PCB, 176 Ill. App.
    3d 1172
    (1988)
    (an unpublished order that was discussed in Modine
    Manufacturing Co.
    v.
    PCB,
    193 Ill.
    App.
    3d 643,
    549 N.E.2d 1379
    (2nd Dist.
    1990)), the Appellate Court found that the Agency’s
    agreement not to institute enforcement proceedings for emission
    violations barred an enforcement action brought by the Agency,
    but that no such agreement existed with respect to certain permit
    violations cited by the Agency.
    It then dismissed the action for
    the emissions violations and remanded the case to the Board to
    set the penalty on the permit violations.
    (see Modine,
    549
    N.E.2d at 1381,
    140 Ill.
    Dec. 509).
    In In the Matter of: Pielet
    Brothers’ Trading,
    Inc., AC 88—51,
    101 PCB 131
    (July 13,
    1989),
    Pielet deposited waste by an area method rather than by trench
    method pursuant to its permit.
    Pielet argued that, under the
    common law principles of estoppel, the Agency should be estopped
    from punishing it for changing its operations from a trench fill
    to an area fill because it allowed the change.
    The evidence
    revealed that Pielet had several meetings with the Agency and
    provided documentation indicating that it was operating as an
    area fill, and that the Agency did not inform Pielet that its
    122—106

    13
    activities could be a violation of the Act for which an
    administrative citation could be issued.
    The Board found that
    the Agency was estopped from finding Pielet in violation of the
    Act based on its belief that “the record reveals that the Agency,
    through its representatives, made representations to Pielet
    Brothers upon which Pielet Brothers could reasonably have
    believed allowed it to deposit waste by the area fill method in
    certain portions of the landfill in addition to those permitted.”
    (~.
    p.
    9,
    101 PCB at 140).
    Finally, in IEPA v. Jack Wright, AC
    89-227
    (August 30,
    1990), the Agency issued an administrative
    citation against Mr. Wright for an open dumping that resulted in
    litter.
    The Board concluded that statements made by an Agency
    field inspector led Mr. Wright to believe that no administrative
    citation would be filed if he took remedial action to clean up
    his facility and that,
    as a result, the Agency improperly issued
    the administrative citation against Mr. Wright.
    At hearing,
    Mr. Sheehan specifically stated that Mr.
    Colantino told him that Mr. Bradd’s method of compaction was
    adequate.
    Mr. Colantino’s direct testimony does not refute or
    contradict Mr. Sheehan’s testimony, nor did the Agency rebut Mr.
    Sheehan’s testimony either on cross—examination or during closing
    arguments.
    Based on our review of the above evidence as well as
    the case law, we conclude that Mr. Colantino represented that the
    compaction at the site would be adequate, that it was not
    unreasonable for Mr.
    Bradd to have relied on such representation,
    and that the Agency is estopped from now citing denial reason
    2
    as a basis for its denial of Mr. Bradd’s Affidavit for
    Certification of Closure.
    Accordingly, we find that denial
    reason
    2
    is an insufficient basis for the Agency’s denial of Mr.
    Bradd’s Affidavit of Certification of Closure and therefore will
    strike
    it.
    Denial
    Reason
    3
    Compaction
    Tests
    Mr.
    Bradd argues that neither the Act nor Board regulations
    require compaction testing for each lift in each acre of a
    landfill.
    (Pet.
    Br.
    p.
    23).
    Mr. Bradd adds that the per acre,
    per lift compaction testing is not a formal policy and that the
    Agency does not universally apply the requirement.
    (a.).
    In
    fact,
    Mr. Bradd notes that the record indicates that this
    requirement is unique to the case at hand,
    and that Mr. James
    Schoenhard of the Agency’s Division of Land Pollution Control
    advised Mr. Sheehan to disregard the per lift language, and
    stated that the tests would, be meaningless because there is no
    recognized minimum compaction standard with respect to the lower
    lifts, and that he would require compaction testing for only the
    top lift and a demonstration of at least 90
    Standard Proctor
    Density.
    (~.
    pp.
    23,
    24).
    Mr. Bradd also argues that the
    evidence indicates that testing the lower lifts is unnecessary
    because inadequate compaction on the lower lifts will result in
    the failure to achieve the required compaction on the top lift.
    122— 107

    14
    (~.
    p. 24).
    Finally, Mr.
    Bradd asserts that the final lift of
    cover at the landfill surpassed the 90
    Standard Proctor Density
    compaction requirement.
    (~.).
    First, the Agency challenges Mr. Bradd’s assertions
    regarding Mr. Schoenhard’s representations to Mr.
    Sheehan.
    (Agency Br.
    p.
    7).
    Specifically,
    it questions why Mr. Bradd did
    not seek confirmation of Mr. Schoenhard’s representations in
    writing or mention them in his Affidavit for Certification of
    Closure.
    (~.).
    The Agency also questions why Mr.
    Bradd never
    appealed this condition (or the condition requiring the use of a
    sheepsfoot roller) when Supplemental Permit No. 1988-248-SP was
    issued or when it was modified via the supplemental permit
    process
    (i.e. when Mr. Bradd submitted his proposed groundwater
    monitoring program).
    (j~.).
    Mr. Sheehan testified that he talked with Mr. Schoenhard and
    told him that the per lift compaction requirement was ambiguous
    because Mr. Bradd did not have to meet a percent compaction for
    each lift.
    (R.
    180-81).
    Mr. Sheehan also testified that Mr.
    Schoenhard responded as follows,
    “Tim,
    you
    ‘re right,
    all you
    need to do for your certification is certify that you have got 90
    percent standard compaction proctor on the last lift.”
    (u.).
    The Agency did not rebut the testimony either on cross-
    examination or in its closing arguments.
    Based on our review of the above evidence as well as the
    case law cited in denial reason
    2, we conclude that Mr.
    Schoenhard represented that the per lift,
    per acre compaction
    requirement need not be met, that it was not unreasonable for Mr.
    Bradd to have relied on such representation,
    and that the Agency
    is estopped from now citing denial reason
    3 as a basis for its
    denial of Mr. Bradd’s Affidavit for Certification of Closure.
    Accordingly, we find that denial reason
    3
    is an insufficient
    basis for the Agency’s denial of Mr. Bradd’s Affidavit of
    Certification of Closure and therefore will strike it.
    Denial Reason
    4
    -
    Final Cover and Vegetative Layer Thickness
    In his Brief,
    Mr. Bradd first argues that, contrary to the
    denial reason, the record demonstrates that the thickness of the
    final cover and vegetative layer meet the requirements of the
    closure plan and exceed the requirements of the Board’s
    regulations.
    (Pet.
    Br. p.
    25).
    He adds that, pursuant to an
    agreement with Mr. Colantino,
    he added the required cover and
    certified in his Affidavit that he took corrective action.
    (~.
    pp.
    25-26).
    Mr. Bradd also notes that 35 Ill.
    Adm. Code
    807.305(c)
    only requires a compacted layer of 24
    inches of
    material rather than 30 and that, although certain borings
    indicated a cover of less than 30 inches, each one acre grid had
    at least one probe that demonstrated final cover of at least 30
    inches and no probe indicated a cover of less than 24 inches.
    122—108

    15
    ~
    p.
    26)
    The Agency does not dispute that Mr. Bradd and Mr. Colantino
    reached an understanding and that Mr. Bradd was to provide
    information on this matter in his Affidavit.
    (Agency Br.
    P.
    8).
    The Agency,
    however, argues that Mr. Bradd’s Affidavit does not
    show which borings indicated inadequate cover, and that the
    Affidavit contradicts Mr. Colantino’s observations because it
    suggests the first 15 borings satisfied the’30 inch cover
    requirement.
    (u.).
    It adds that certain photographic evidence
    relied on by Mr. Bradd does not demonstrate that he applied
    adequate cover.
    (I~.)
    During Mr. Colantino’s June 27,
    1990 inspection of the
    landfill, Mr. Colantino made a total
    of 23 borings among
    15 one-
    acre grids
    (with a total of five borings in grid 2, four borings
    in grid 3, and two borings in grid 9) to determine the thickness
    of the final cover and vegetative layer.
    (Pet.
    Ex.
    13).
    He
    notified Mr. Bradd and Mr. Sheehan that eight of the borings
    (four borings in grid 2, three borings in grid 3, and one boring
    in grid 9) revealed less than 30 inches of cover.
    (R.
    238—239).
    Specifically, grids
    2,
    3, and 9 had approximately 26 inches,
    26
    inches, and 27 inches ‘of cover,
    respectively.
    (R.
    238).
    He also
    stated that additional cover was needed, and directed Mr. Bradd
    to certify in his Affidavit that additional cover was,
    in fact,
    added.
    (R.
    152, 239-240).
    Mr. Bradd agreed to apply the
    additional cover.
    (R.
    152,
    240; Pet.
    Ex.
    4; Pet. Ex.
    11,
    Attachment II).
    At hearing, Mr. Sheehan testified that Mr. Colantino stated
    that there would be no need to complete any additional borings or
    probes to verify the fact that additional soil was added,
    if Mr.
    Bradd actually added additional soil and mentioned that fact in
    his Affidavit.
    (R.
    154).
    Mr. Colantino’s direct testimony does
    not refute or contradict Mr. Sheehan’s testimony, nor did the
    Agency rebut Mr. Sheehan’s testimony either on cross—examination
    or during closing arguments.
    Mr. Sheehan also testified that Mr.
    Bradd applied the additional cover to the eastern and
    southeastern corner of the site between June 27 and 29,
    1990, and
    that Mr. Bradd mentioned the corrective measures in his
    Affidavit.
    (R. 152,
    154—55,
    240; Pet.
    Ex.
    4; Pet. Ex.
    11,
    Attachment II).
    Also,
    Mr. Bradd presented certain photographs
    taken on June 29,
    1990 and a bill for earth moving at hearing as
    proof that he added additional cover to the areas
    in question on
    June 27,
    28, and 29,
    1991.
    (Pet.
    Exs.
    4,
    11
    Addendum,
    16).
    The above evidence indicates that Mr. Bradd did indeed apply
    additional cover.
    Because the Agency never re-inspected the site
    to verify that Mr. Bradd applied the required amount of cover,
    however, we cannot definitively state that the landfill has a
    final cover of exactly 30 inches in all places.
    Specifically,
    the photographs and Petitioner’s Exhibit
    4 do not indicate the
    122—109

    16
    exact amount of cover that was added or where it was placed.
    We
    conclude, however, that Mr. Colantino represented to Mr. Bradd
    that no additional borings would be needed if Mr. Bradd added the
    additional soil and verified in his Affidavit that he took such
    action.
    In his Affidavit, Mr.
    Bradd stated,
    “Presently,
    additional
    top soil placement and grading is being performed along the
    eastern and southeastern corner of the site.”
    (Pet.
    Ex.
    Il,
    Attachment II).
    The question now becomes whether the above
    representation was adequate.
    Because Mr. Colantino never
    specified the degree of specificity that was to be provided in
    the Affidavit, we cannot conclude that Mr. Bradd’s statement was
    inadequate.
    Rather, Mr.
    Bradd relied on Mr. Colantino’s
    representations and provided the requested information in his
    Affidavit.
    Moreover, Mr. Bradd’s and Mr. Sheehan’s testimony
    indicates that Mr. Bradd added the required amount of cover to
    the site.
    This testimony was never rebutted.
    If the Agency
    wanted more proof that additional cover had been added,
    it should
    have either specified the proof that Mr. Bradd was to provide in
    his Affidavit,
    or re-visited the site and rebutted Mr. Bradd’s
    and Mr. Sheehan’s testimony.
    Based on our review of the above
    evidence as well as the case law cited in denial reason
    2, we
    conclude that it was not unreasonable for Mr. Bradd to have
    relied on Mr. Colantino’s representations, and that the Agency is
    estopped from now citing denial reason
    4 as a basis for its
    denial of Mr. Bradd’s Affidavit for Certification of Closure.
    Accordingly, we find that denial reason
    4
    is an insufficient
    basis for the Agency’s denial of Mr. Bradd’s Affidavit of
    Certification of Closure and will strike the denial reason.
    Denial Reason
    5
    Fertilizing,
    Seeding, and Mulching
    Mr.
    Bradd argues that he complied with the closure plan and
    consulted with an agronomist.
    (Pet.
    Br.
    p.
    27).
    He also argues
    that, even if one were to conclude that the landfill was not a
    completed site as of July
    1,
    1990, because it was not seeded by
    that date, the Board should find that the landfill was
    substantially completed by July 1,
    1990,
    because the failure to
    seed by that date constitutes a de minimis deviation from the
    closure plan.
    (~.
    p.
    28).
    He adds that it is appropriate for
    the Board to find that he complied with the closure plan even
    though the seeding occurred after June 30,
    1990 when one
    considers the fact that the Agency has great leniency with which
    to deal with deficient groundwater monitoring systems (see Ex.17-
    Administrative Procedure #4, Paragraph 4).
    (~4.
    p.
    29).
    The Agency questions why Mr.Bradd could not have planted
    temporary cover during the last week of June, and notes that Mr.
    Bradd did not plant the final cover in the Fall of 1990 when
    there were conducive conditions.
    (Agency Br.
    p.
    9).
    The Agency
    also arques that Mr. Bradd knew that the final cover would be
    122—110

    17
    planted during the summer and that he had at least two months
    (i.e.
    from May 5, .1990 to July
    1,
    1990)
    to apply to the Agency to
    modify the final cover planting requirements of his closure plan
    if he could not meet the July
    1,
    1990 deadline.
    (n.).
    The
    Agency concludes that, as a result of Mr. Bradd’s failure to
    modify, the closure plan and the fact that no cover was planted by
    July 1,
    1990,
    it had no choice by to cite Mr. Bradd for this
    deficiency.
    (j~.).
    At hearing, Mr. Sheehan testified that he consulted with Mr.
    David Franzen, an agronomist of Shields Soil Service.
    (R.
    157).
    He also testified that,
    because the time of the year was not
    conducive to establishing any vegetation,
    Mr. Franzen recommended
    a temporary cover of lime (fertilizer) and oats to stabilize the
    final cover and .prevent soil erosion until growing conditions
    were more conducive to plant the final cover.
    (~.
    p.
    157—58;
    Pet.
    Ex.
    11
    -
    Attachment II, Figure No.
    5).
    The lime and oats
    were applied during the first week of July 1990,
    and the record
    demonstrates that plant growth had occurred as a result of the
    July,
    1990 planting.
    (R.
    158; Pet.
    Exs.
    2,
    11
    -
    Attachment II,
    Addendum).
    The ‘closure plan for the landfill specifies seeding,
    fertilizing, and mulching procedures in accordance with the
    Illinois Department of Transportation’s “Standard Specifications
    for Road and Bridge Construction” requirements.
    (Pet.
    Ex. 7A p.
    5).
    It also states that
    “a local agronomist will be consulted to
    review seeding and fertilizer specs and,
    if needed, recommend
    modifications to ensure vegetative growth”.
    (~.).
    The
    unrebutted testimony of Mr. Sheehan shows that this is exactly
    what Mr.
    Bradd did.
    When the Agency approved Mr. Bradd’s closure
    plan,
    it knew that the seeding process could be modified in
    accordance with an agronomist’s recommendation.
    As a result, the
    Agency. cannot now complain that Mr. Bradd did not comply with the
    closure plan.
    Nor can it question why Mr. Bradd did not plant
    cover in the Fall of 1990 or attempt to modify the plan.
    As previously stated,
    a Certificate of Closure is issued pursuant
    to 35 Ill.
    Adm. Code 807.508(b)
    which provides,
    in part,
    as
    follows:
    b.
    If the Agency finds that the site has been
    closed in accordance with the specifications
    of the closure plan, and the closure
    requirements of this Part,
    the Agency shall:
    1)
    Issue a certificate of closure for
    the site;
    (Emphasis added).
    Because Mr. Bradd complied with this requirement of his closure
    plan, we find that denial reason
    5
    is an insufficient basis for
    122—111

    18
    the Agency’s denial of Mr. Bradd’s Affidavit of Closure and will
    strike it.
    Post Closure Care Period
    Section 22.17 of the Act governs the period of time that a
    landfill owner is required to monitor the site after the site is
    closed.
    During the 1988 Session of the 85th General Assembly,
    House Bill 3668 was introduced to increase the post closure care
    period from five to 15 years.
    The bill was signed into law on
    August 30,
    1988
    (Public Act 85-1240)
    and became effective on
    January
    1,
    1989.
    On May 12,
    1988 an amendment to the law was
    adopted which delayed the date that the 15 year monitoring period
    went into effect until July 1,
    1990.
    As previously stated, Mr. Bradd requests that the Board find
    that the post closure care period applicable to the landfill is
    five years rather than 15 years.
    He argues that the landfill is
    subject to the five year post closure care period because the
    evidence indicates that the site was closed and completed prior
    to July 1,
    1990.
    (Pet.
    Br. pp.
    31-36).
    The Agency,
    on the other
    hand, maintains that the landfill was not closed and completed as
    of July 1,
    1990 because all of the requirements of the landfill’s
    closure plan had not been satisfied or met by that date.
    (Resp.
    Br. pp.
    1—2,
    13—15).
    Section 22.17(a) provides as follows:
    The owner and operator of a sanitary landfill
    site shall monitor gas, water and settling at
    the completed site for a period of 15 years
    after the site is completed or closed,
    or
    such longer period as may be required by
    Board or federal regulation.
    (Emphasis added).
    Because the Board has upheld one of the Agency’s denial
    reasons, we conclude that the Agency was justified in not
    approving Mr. Bradd’s Affidavit for Certification of Closure and
    not issuing a Certificate of Closure for the landfill.
    Moreover,
    because the activities described in the closure plan have not
    been completed, we cannot say that the landfill was closed or
    completed prior to the July 1,
    1990 deadline.
    Accordingly, the
    Bradd Sanitary Landfill is subject to a
    15 year post-closure
    monitoring period.
    This Opinion constitutes the Board’s findings of fact and
    conclusions of law in this matter.
    ORDER
    122—112

    19
    For the foregoing reasons, denial reasons 2,
    3,
    4,
    and
    5
    are
    reversed.
    Denial reason
    1 is upheld and,
    therefore,
    the Agency’s
    denial of Mr. Bradd’s Affidavit for Certification of Closure and
    refusal to issue a Certificate of Closure is affirmed and the
    Bradd Sanitary Landfill is subject to a 15 year post-closure
    monitoring period.
    Section 41 of the Environmental Protection Act
    (Ill. Rev.
    Stat.
    1989,
    ch.
    111 1/2, par.
    1041)
    provides for the appeal of
    final Orders of the Board within 35 days.
    The Rules of the
    Supreme Court establish filing requirements.
    IT IS SO ORDERED.
    I, Dorothy M.
    Gunn, Clerk of the Illinois Pollution Control
    Board, hereby certifies that the above Opinion and Order was
    adopted on the
    ~7~-’
    day of
    ________________,
    1991,
    by a
    voteof
    7-c
    .
    /
    ~
    ‘~7.
    ~
    Dorothy M./Gunn, Clerk
    Illinois 1~ol1utionControl Board
    112— 113

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